I-14.01 - Derivatives Act
2008, c. 24, s. 153; 2011, c. 26, s. 57.
153. A person who otherwise makes a misrepresentation
(1) about the offering or trading of a derivative,
(2) in any document or information filed with the Authority or one of its agents for the purposes of the administration of this Act, or
(3) in any document sent or register kept under this Act,
is guilty of an offence.